The CreditEdge tool is the premier model for managing the credit risk of your portfolio of listed firms and sovereigns, globally.
Moody's Analytics Credit Trends offers extensive data and insight on global markets, tailored to your business needs.
GCorr Macro EL Calculator addresses regulatory requirements for stress testing and assists in strategic portfolio credit risk management.
Lending Cloud is a leading, cloud-based solution for managing all aspects of commercial, agricultural, and small business lending.
Moody's CreditView delivers an enriched credit risk solution that balances content across research, data and service to enable you to make informed credit decisions in the most time-effective way.
RiskIntegrity Capital Aggregator enables insurers to calculate one-year VaR, risk-based capital, using a Monte Carlo approach.
The ABS System provides issuers with an infrastructure to administer and monitor structured funding issuance
Monitor your CDO portfolio, using the robust and flexible Moody's Analytics software platform for cash-flow analytics.
Moody's Analytics credit assessment expertise and award-winning analytical tools facilitate faster and better informed credit decisioning.
UK-MPA is a powerful risk management, stress testing, and capital allocation tool for analyzing the credit risk of UK residential mortgage portfolios and UK RMBS collateral.
Access concise analyses and data on current and expected economic conditions for all US states and metropolitan areas.
Leverage economic, demographic, and financial data, forecasts, and scenarios for the global economy.
Assess economic conditions for more than 50 countries through detailed forecasts and analytical tools.
The Market-Consistent Economic Scenario Generator contains stochastic asset modeling tools in a flexible framework to produce risk-neutral scenarios.
Consumer lifetime loss forecasts under the CECL standard using “reasonable and supportable” economic scenario
RDS is a family of datafeed solutions covering all current issuer and issue-related credit ratings, published by our sister company, Moody's Investors Service.
The RiskIntegrity Internal Model software supports insurers in the automation of processes to calculate and report their regulatory or economic capital.
Moody's Analytics advisory and implementation teams work with organizations globally to strengthen and validate their stress testing frameworks.
The AXIS Actuarial system for insurance pricing, reserving, asset and liability management (ALM), financial modeling, capital calculations, and hedging.
Portfolio Risk Analytics allows wealth managers, advisers and retail product providers to create forward-looking risk analyses for multi-asset investment portfolios.
Portfolio Modeller provides a powerful stochastic modeling framework for multi-asset portfolio risk analysis and asset and liability management (ALM).
The ImpairmentCalc software provides expected loss impairment calculations, incorporating data and scenario analysis for forward-looking evaluation under IFRS 9 and CECL guidance.
Moody's CreditView – US Public Finance offers in-depth Moody's Investors Service research and select economic data from Moody's Analytics on US public finance issuers.
This powerful risk management, stress testing, and capital allocation tool helps you analyze the credit risk of residential mortgage portfolios and RMBS collateral.
The Real-World Economic Scenario Generator contains stochastic asset modeling tools within a flexible framework for a wide range of risk management activities.
RiskIntegrity Standard Formula supports insurers in automating processes to calculate and report standard-formula solvency and minimum capital requirements.
RiskOrigins software is a next-generation, credit decisioning, and monitoring platform that delivers improved risk management over the credit life cycle.
Moody's Analytics Scenario Service provides economic scenarios that describe plausible future paths of variables that are coherently related.
These data feeds provide access to various Structured Finance data across asset classes, and is drawn from monitoring reports of major servicers and trustees.
The Wealth Scenario Generator is a modeling engine that provides support for your financial planning and investment decision-making.